Seplat Petroleum Development Company PLC(SEPL)
GBX --+0.00%
Reward70High
Risk22Low
75%Data
4.5% dividend yield · Revenue growing 37% YoY
SEPL
+0.0 · +0.00%
GBX · LSE
Seplat Petroleum Development Company PLC | Energy
Growth Machine
Market Cap:2.62Bn
ⓘ
Reward Rating
70
High
Reward Assessment
75% data coverage
Top 25% of stocksView factors
ⓘ
Risk Rating
22
Low
Risk Assessment
1 metric flaggedView details

Educational tool only – Scores are based on historical data and financial metrics for informational purposes. This is not financial advice or a recommendation to buy or sell any security. Always conduct your own research or consult a qualified financial adviser.

Educational tool only · More
Limited data coverage
We don't have enough public data on SEPL to score it reliably yet — Reward, Risk, Forecasts and Dividends tabs aren't available for this stock. The price chart and basic profile are still shown.
OTC / ADR stock — scores and fundamentals use data tagged in USD by our provider. The issuer may report in a different home currency (e.g. JPY), so treat figures as directional rather than precise.
New listing — limited trading history
Fundamental and analyst data are available for SEPL, but momentum and volatility metrics will develop as more trading history accumulates (0 trading sessions so far).
Not available yet for this stock
The reward tab requires data we don't have for this stock yet. The price chart is the most reliable view we have — try the Chart tab.
Reward Rating
70
/ 100
Strong75% coverage

SEPL shows a strong reward profile, led by growth.

SEPL has a strong reward score of 70/100. The model blends growth 91/100, momentum 50/100, profitability 48/100, valuation 78/100; growth has the heaviest weight, then momentum, profitability and valuation. The largest weighted support comes from growth (91/100, 40% weight) and momentum (50/100, 25% weight). Growth is the strongest support at 91/100. Profitability is the main drag at 48/100. The forward P/E is 23.5x, which feeds directly into the valuation score. Net margin is 5.9%, which helps explain the profitability contribution.

Growth

0
Weight: 40%
Avg 50
StrongRevenue CAGR · FCF CAGR
MetricValueScore
Revenue Growth (3yr)43.0%Very Good
Net Income Growth (3yr)16.0%Good
Cash Flow Growth (3yr)36.4%Very Good
MetricValueScore
Revenue Growth (Est.)22.3%Very Good
Profit Growth (Est.)89.1%Very Good
Analyst Price Target Upside—Neutral

Momentum

0
Weight: 25%
Avg 50
MetricValueScore
1-Year vs Market—No Benchmark
6-Month vs Market—No Benchmark
3-Month Return—Neutral
Return Consistency—No Data
Trading Volume Trend—Neutral

Profitability

0
Weight: 20%
Avg 50
StrongFCF conversion · EBIT growthDragNet margin
MetricValueScore
Gross Margin29.9%Weak
Net Margin5.9%Weak
Cash Conversion502%Very Good
Operating Profit Growth (3yr)31.1%Very Good
Return on Equity8.6%Neutral
Return on Assets6.0%Good

Valuation

0
Weight: 15%
Avg 40
StrongPEG ratio · EV/EBITDADragEV/Sales
MetricValueScore
Growth-Adj P/E (PEG)0.26Higher Relative Value
Enterprise Value Ratio3.3xHigher Relative Value
Fwd P/E 23.5xMaterial Premium vs Peers
Price / Cash Flow3.2xHigher Relative Value
Price / Revenue1.7xMaterial Premium vs Peers
Debt Load0.5xLow Leverage

Dividend Sustainability

0
Supplementary
Avg 50
MetricValueScore
Payout Ratio6%Very Good

Portfolio Impact

Coming Soon
See how this stock affects
your portfolio's factor scores
Per-factor portfolio averages with ↑↓ impact arrows — coming in a future update
FactorPortfolio AvgImpact
Growth62↑ +6
Momentum55↓ −10
Profitability58↑ +32
Valuation61↓ −15

Educational tool only. Reward Rating is a model output based on historical and quantitative metrics — not financial advice and not a recommendation to buy, sell, or hold. Past performance does not guarantee future results.